Day 2 | 14th March
- How can you best factor in geopolitical risks and Eurozone investor impact on your portfolio?
- How can you anticipate headline risks and monitor developments that could affect overall economic stability and adjust your exposure accordingly?
- How can you best understand CPI reversal risks and how they could disrupt the European Central Bank's easing path?
- How can you best manage debt exposure and exercise caution with high-yield and emerging market debt while focusing on more secure options like sovereign debt?
- How can you explore unconventional hedges to counteract geopolitical risks?
Check out the incredible speaker line-up to see who will be joining Paul.
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